If George Costanza Were a Hedge Fund Manager

James White, Victor Haghani
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Abstract

Continuously rebalanced long-short trades are similar to highly levered trades in that their PNL profile depends not only on the final distribution of return, but also on the realized co-variance structure of the asset pair. It's easily possible for both orientations of a rebalanced long-short to trade lose money.
如果George Costanza是一位对冲基金经理
持续再平衡多空交易与高杠杆交易相似,其PNL曲线不仅取决于最终收益分布,还取决于资产对实现的协方差结构。重新平衡的多空交易的两个方向都很容易赔钱。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
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